Display invoices in ISA SAP R/3 (XECO 5)

Hi,
I´m configured ISA SAP R/3 for B2B. In the shop, I can review order, order templates, product catalgo, but when I search invoices, system display " No Document founds", but I have invoices for client for order generated in B2B.
Some idea about this error?. Can I see invoices in ISA with SAP R/3.
I have configured in Shop Managment flag for display invoices, down payments and credit memos.
Regards

I need to configured in SPRO >Sales and Distribution > Billing > Lists > Set Updating of Partner Index  and enter the role of the sold-to party.
Now, I cann´t see credit memos and down payments

Similar Messages

  • Displayed Invoice in the wev channel

    Hi
    I'm using SAP CRM and ISA E-Commerce B2B and want to display invoices from the SAP R3 in the web channel.
    is it possible?
    Yaki

    You can display Billing documents in Web now - but not as PDF. Do you want to display in PDF or just details of the R/3 Invoice in the web?
    You have to make custom development to display the R/3 invoice (PDF) in Web Channel
    Easwar Ram
    http://www.parxlns.com

  • Reg displaying Invoice as PDF on Webdynpro for ABAP

    Hi All,
            I have to display Invoice as PDF. I'm trying to see the output of the smart-form being used through Transaction VF03 and then using that through Transaction zfacinv checked the output. But, my problem is that I'm unable to check which Smartform is being used therein.
            Please guide me to find the name of the Smartform being used.
    Thanks!
    Kumar Sauarv.

    Check the following link:
    http://www.sdn.sap.com/irj/scn/go/portal/prtroot/docs/library/uuid/f0de1eb8-0b98-2910-7996-8a3c2fcf6785?quicklink=index&overridelayout=true

  • Display invoice print (PDF) in sales order(Credit/Debit note) attachement for Validator

    Hello Expert,
    I would like to know if is there any possibility to display invoice print (PDF) in sales order (Credit/Debit note) as attachment.
    Issue:  Customer raise the credit note with the reference of invoice, sometimes user don't explain the reason for credit and don't attach any reference document in sales order(credit request).
    Customer requirement: Customer want to display reference invoice print (PDF)in sales order(Credit request) for validator so validator can cross check with invoice and validate the credit note.
    Could you suggest the best solution?
    I am thinking to give mandatory text box (Text determination)at sales order(Credit request)
    Vipin

    Hi,
    You can enable Document Management System (DMS)
    Please refer below links for details:
    http://scn.sap.com/thread/459101
    http://scn.sap.com/thread/2096563

  • Unable to clear the invoice/credit in SAP via T-Code F-04

    Hello Guys,
    Unable to clear the invoice/credit in SAP via  T-Code F-04.
    While I proceed to Clear the cutomer open item i am getting below error.
    " The Entry GB XX Is Missing in Table T059Q".
    Kindly suggest what needs to be done to overcome with this message.
    Thanks and regards,
    Hemanth.

    Hi Hemanth,,
    Hope you are using Classic WHT for your company code in country GB.
    And the Classic WHT tcode XX was maintained in customer master data, but the same code would have been deleted from the system. Since these line items to be cleared also, stored that tax code only. So you are getting this erro in F-04.
    So you need to create the above said tax code in OBA7 and then you will be able to clear the customer line items with F-04.
    Regards,
    Srinu

  • Display Invoice Details in 3 pages only, as per the tags, data is overflown

    Hi,
    I have a requirement to display invoice details in pdf output from XML Source using rtf template.
    The PDF output will display invoice details for One address number per page.
    When I execute the report in JDE standard version I get the pdf output in three pages as expected.
    from the blank template when I executed the report for a data selection of One business unit and three address numbers. Below is the query.
    SELECT * FROM PRODDTA.F03B11 WHERE RPDIVJ =110037 AND LTRIM(RTRIM(RPMCU))=03285 AND RPAN8 IN(204346,204352,202370).
    The XML source in the printqueue shows me five address number tags instead of three as per the data selection given above. The data in the second tag has overflown to third and similarly from 4th to 5th tag.
    When I take the said XML source it is displaying 5 pages. Is there way to design the rtf template where it can print only 3 pages.
    Below I have given the actual source code.
    <?xml version="1.0" encoding="WINDOWS-1252" standalone="no" ?>
    - <!-- Generated by EnterpriseOne Universal Batch Engine
    -->
    - <R553505>
    + <Properties>
    <Version>HES0002</Version>
    <Title>Comprehensive Invoice</Title>
    <Machine>HIES10</Machine>
    <Host>HGN11</Host>
    <Environment>DV900</Environment>
    <User>VRDDU</User>
    <Role>*ALL</Role>
    <Company>HDSD</Company>
    <OneWorldRelease>E900</OneWorldRelease>
    <Date>7/15/2010</Date>
    <Time>5:58:57</Time>
    </Properties>
    + <PageFooters>
    - <Page_Footer_S20>
    <audit_info_in_event_rules_ID6>audit info in event rules</audit_info_in_event_rules_ID6>
    <PLEASE_MAKE_CHECK_PAYABLE_TO___ID3>PLEASE MAKE CHECK PAYABLE TO :</PLEASE_MAKE_CHECK_PAYABLE_TO___ID3>
    <NameAlpha_ID5>Trey McAfee</NameAlpha_ID5>
    </Page_Footer_S20>
    - <Page_Footer_S20>
    <audit_info_in_event_rules_ID6>audit info in event rules</audit_info_in_event_rules_ID6>
    <PLEASE_MAKE_CHECK_PAYABLE_TO___ID3>PLEASE MAKE CHECK PAYABLE TO :</PLEASE_MAKE_CHECK_PAYABLE_TO___ID3>
    <NameAlpha_ID5>Trey McAfee</NameAlpha_ID5>
    </Page_Footer_S20>
    - <Page_Footer_S20>
    <audit_info_in_event_rules_ID6>audit info in event rules</audit_info_in_event_rules_ID6>
    <PLEASE_MAKE_CHECK_PAYABLE_TO___ID3>PLEASE MAKE CHECK PAYABLE TO :</PLEASE_MAKE_CHECK_PAYABLE_TO___ID3>
    <NameAlpha_ID5>Trey McAfee</NameAlpha_ID5>
    </Page_Footer_S20>
    </PageFooters>
    + <Columnar_S7_Column_Headings Language="">
    <Invoice_Date_ID28>Date</Invoice_Date_ID28>
    <Document_Number_ID22>Number</Document_Number_ID22>
    <Document_Type_Description_ID42>Type</Document_Type_Description_ID42>
    <Pay_Item_ID34>Item</Pay_Item_ID34>
    <Due_Date_ID30>Due Date</Due_Date_ID30>
    <Remark_ID32>Remark</Remark_ID32>
    <Amount_ID48>Amount</Amount_ID48>
    <Taxable_Amount_ID16>Amount</Taxable_Amount_ID16>
    <Document_Company_ID44>Doc Co</Document_Company_ID44>
    <Address_Number_ID36>Address Number</Address_Number_ID36>
    <Tax_Amount_ID40>Tax Amount</Tax_Amount_ID40>
    <Co___ID46>Co</Co___ID46>
    </Columnar_S7_Column_Headings>
    - <Columnar_S7_Group>
    + <On_Address_Number_S8>
    <Date_01_ID31>2010-02-06</Date_01_ID31>
    <Remit_To_Constant_ID98>Remit To:</Remit_To_Constant_ID98>
    <Date_Constant_ID106>Date:</Date_Constant_ID106>
    <Account_Constant_ID108>Account:</Account_Constant_ID108>
    <AddressNumber_ID28>204346</AddressNumber_ID28>
    <Company___Address_Line_1_ID36>HKJHKLKJLKJLKLK, LLC</Company___Address_Line_1_ID36>
    <RefNo_ID126>10000106001</RefNo_ID126>
    <Refer.No__ID125>Refer.No:</Refer.No__ID125>
    <Company___Address_Line_2_ID38>JHJKLH Bank, 925 All Rd</Company___Address_Line_2_ID38>
    <Company___Mailing_Name_ID34>JHKJHK Trophy LLC</Company___Mailing_Name_ID34>
    <Page_Number_ID89>1</Page_Number_ID89>
    <Page_Constant_ID110>Page:</Page_Constant_ID110>
    <Company___Address_Line_3_ID40>Clifton NJ 07012</Company___Address_Line_3_ID40>
    <Lease_Number_Constant_ID122>Lease Number:</Lease_Number_Constant_ID122>
    <Customer_Address_Constant_ID102>Customer Address:</Customer_Address_Constant_ID102>
    <Billing_Address_Constant_ID100>Billing Address:</Billing_Address_Constant_ID100>
    <Customer___Alpha_Name_ID116>AEGON</Customer___Alpha_Name_ID116>
    <Customer___Mailing_Name_ID73>400 ket Street</Customer___Mailing_Name_ID73>
    <Customer___Address_Line_1_ID75>Su 400</Customer___Address_Line_1_ID75>
    <Customer___Address_Line_2_ID77>Lolle K 40202</Customer___Address_Line_2_ID77>
    <a_ID123>a</a_ID123>
    <Notification_Constant_ID104>Please be advised that your account has been debited or back-charged as follows:</Notification_Constant_ID104>
    - <Columnar_S7>
    <Invoice_Date_ID27>2010-02-06</Invoice_Date_ID27>
    <DocVoucherInvoiceE_ID21>10000106</DocVoucherInvoiceE_ID21>
    <Document_Type_Description_ID41>Manual Billing</Document_Type_Description_ID41>
    <Pay_Item_ID33>001</Pay_Item_ID33>
    <Due_Date_ID29>2010-03-01</Due_Date_ID29>
    <Remark_ID31>JAN 10 CLEANING INVOICES</Remark_ID31>
    <Amount_ID47>1176.16</Amount_ID47>
    <Taxable_Amount_Value_ID15>1176.16</Taxable_Amount_Value_ID15>
    <CompanyKey_ID43>03285</CompanyKey_ID43>
    <AddressNumber_ID35>204346</AddressNumber_ID35>
    <Company_ID45>03285</Company_ID45>
    </Columnar_S7>
    - <Columnar_S7>
    <Pay_Item_ID33>002</Pay_Item_ID33>
    <Due_Date_ID29>2010-03-01</Due_Date_ID29>
    <Remark_ID31>FEB 10 CLEANING</Remark_ID31>
    <Amount_ID47>872.00</Amount_ID47>
    <Taxable_Amount_Value_ID15>872.00</Taxable_Amount_Value_ID15>
    <CompanyKey_ID43>03285</CompanyKey_ID43>
    <AddressNumber_ID35>204346</AddressNumber_ID35>
    <Company_ID45>03285</Company_ID45>
    </Columnar_S7>
    - <Columnar_S7>
    <Pay_Item_ID33>003</Pay_Item_ID33>
    <Due_Date_ID29>2010-03-01</Due_Date_ID29>
    <Remark_ID31>ADMIN FEE</Remark_ID31>
    <Amount_ID47>143.37</Amount_ID47>
    <Taxable_Amount_Value_ID15>143.37</Taxable_Amount_Value_ID15>
    <CompanyKey_ID43>03285</CompanyKey_ID43>
    <AddressNumber_ID35>204346</AddressNumber_ID35>
    <Company_ID45>03285</Company_ID45>
    </Columnar_S7>
    <Total_Invoice_Amount_Value_ID2>2191.53</Total_Invoice_Amount_Value_ID2>
    <Total_Amount_Invoiced_Constant_ID190>Total Amount Invoiced</Total_Amount_Invoiced_Constant_ID190>
    <Tax_Amount_Constant_ID192>Tax Amount</Tax_Amount_Constant_ID192>
    <Balance_Due_Constant_ID184>Balance Due</Balance_Due_Constant_ID184>
    <Balance_Credit_Due_Value_ID6>2191.53</Balance_Credit_Due_Value_ID6>
    <Transaction_Currency_ID47>USD</Transaction_Currency_ID47>
    <Credit_Due_Constant_ID194>Credit Due</Credit_Due_Constant_ID194>
    </On_Address_Number_S8>
    - <On_Address_Number_S8>
    <Page_Breake_S21 />
    <Date_01_ID31>2010-02-06</Date_01_ID31>
    <Remit_To_Constant_ID98>Remit To:</Remit_To_Constant_ID98>
    <Date_Constant_ID106>Date:</Date_Constant_ID106>
    <Account_Constant_ID108>Account:</Account_Constant_ID108>
    <AddressNumber_ID28>204352</AddressNumber_ID28>
    <Company___Address_Line_1_ID36>Lou Trophy, LLC</Company___Address_Line_1_ID36>
    <RefNo_ID126>10000109001</RefNo_ID126>
    <Refer.No__ID125>Refer.No:</Refer.No__ID125>
    <Company___Address_Line_2_ID38>ValBank, 925 All Rd</Company___Address_Line_2_ID38>
    <Company___Mailing_Name_ID34>Loui Trophy LLC</Company___Mailing_Name_ID34>
    <Page_Number_ID89>1</Page_Number_ID89>
    <Page_Constant_ID110>Page:</Page_Constant_ID110>
    <Company___Address_Line_3_ID40>Clifton NJ 07012</Company___Address_Line_3_ID40>
    <Lease_Number_Constant_ID122>Lease Number:</Lease_Number_Constant_ID122>
    <Customer_Address_Constant_ID102>Customer Address:</Customer_Address_Constant_ID102>
    <Billing_Address_Constant_ID100>Billing Address:</Billing_Address_Constant_ID100>
    <Customer___Alpha_Name_ID116>Commn Bank</Customer___Alpha_Name_ID116>
    <Customer___Mailing_Name_ID73>400 Market Street</Customer___Mailing_Name_ID73>
    <Customer___Address_Line_1_ID75>Suite 140</Customer___Address_Line_1_ID75>
    <Customer___Address_Line_2_ID77>Lo KY 40202</Customer___Address_Line_2_ID77>
    <a_ID123>a</a_ID123>
    <Notification_Constant_ID104>Please be advised that your account has been debited or back-charged as follows:</Notification_Constant_ID104>
    </On_Address_Number_S8>
    - <On_Address_Number_S8>
    - <Columnar_S7>
    <Invoice_Date_ID27>2010-02-06</Invoice_Date_ID27>
    <DocVoucherInvoiceE_ID21>10000109</DocVoucherInvoiceE_ID21>
    <Document_Type_Description_ID41>Manual Billing</Document_Type_Description_ID41>
    <Pay_Item_ID33>001</Pay_Item_ID33>
    <Due_Date_ID29>2010-03-01</Due_Date_ID29>
    <Remark_ID31>JAN 10 CLEANING INVOICES</Remark_ID31>
    <Amount_ID47>75.00</Amount_ID47>
    <Taxable_Amount_Value_ID15>75.00</Taxable_Amount_Value_ID15>
    <CompanyKey_ID43>03285</CompanyKey_ID43>
    <AddressNumber_ID35>204352</AddressNumber_ID35>
    <Company_ID45>03285</Company_ID45>
    </Columnar_S7>
    - <Columnar_S7>
    <Pay_Item_ID33>002</Pay_Item_ID33>
    <Due_Date_ID29>2010-03-01</Due_Date_ID29>
    <Remark_ID31>FEB 10 CLEANING</Remark_ID31>
    <Amount_ID47>385.00</Amount_ID47>
    <Taxable_Amount_Value_ID15>385.00</Taxable_Amount_Value_ID15>
    <CompanyKey_ID43>03285</CompanyKey_ID43>
    <AddressNumber_ID35>204352</AddressNumber_ID35>
    <Company_ID45>03285</Company_ID45>
    </Columnar_S7>
    - <Columnar_S7>
    <Pay_Item_ID33>003</Pay_Item_ID33>
    <Due_Date_ID29>2010-03-01</Due_Date_ID29>
    <Remark_ID31>ADMIN FEE</Remark_ID31>
    <Amount_ID47>46.00</Amount_ID47>
    <Taxable_Amount_Value_ID15>46.00</Taxable_Amount_Value_ID15>
    <CompanyKey_ID43>03285</CompanyKey_ID43>
    <AddressNumber_ID35>204352</AddressNumber_ID35>
    <Company_ID45>03285</Company_ID45>
    </Columnar_S7>
    <Total_Invoice_Amount_Value_ID2>506.00</Total_Invoice_Amount_Value_ID2>
    <Total_Amount_Invoiced_Constant_ID190>Total Amount Invoiced</Total_Amount_Invoiced_Constant_ID190>
    <Tax_Amount_Constant_ID192>Tax Amount</Tax_Amount_Constant_ID192>
    <Balance_Due_Constant_ID184>Balance Due</Balance_Due_Constant_ID184>
    <Balance_Credit_Due_Value_ID6>506.00</Balance_Credit_Due_Value_ID6>
    <Transaction_Currency_ID47>USD</Transaction_Currency_ID47>
    <Credit_Due_Constant_ID194>Credit Due</Credit_Due_Constant_ID194>
    </On_Address_Number_S8>
    + <On_Address_Number_S8>
    <Page_Breake_S21 />
    <Date_01_ID31>2010-02-06</Date_01_ID31>
    <Remit_To_Constant_ID98>Remit To:</Remit_To_Constant_ID98>
    <Date_Constant_ID106>Date:</Date_Constant_ID106>
    <Account_Constant_ID108>Account:</Account_Constant_ID108>
    <AddressNumber_ID28>202370</AddressNumber_ID28>
    <Company___Address_Line_1_ID36>Lou Trophy, LLC</Company___Address_Line_1_ID36>
    <RefNo_ID126>10000112001</RefNo_ID126>
    <Refer.No__ID125>Refer.No:</Refer.No__ID125>
    <Company___Address_Line_2_ID38>Val Bank, 925 All Rd</Company___Address_Line_2_ID38>
    <Company___Mailing_Name_ID34>Lou Trophy LLC</Company___Mailing_Name_ID34>
    <Page_Number_ID89>1</Page_Number_ID89>
    <Page_Constant_ID110>Page:</Page_Constant_ID110>
    <Company___Address_Line_3_ID40>Clifton NJ 07012</Company___Address_Line_3_ID40>
    <Lease_Number_Constant_ID122>Lease Number:</Lease_Number_Constant_ID122>
    <Customer_Address_Constant_ID102>Customer Address:</Customer_Address_Constant_ID102>
    <Billing_Address_Constant_ID100>Billing Address:</Billing_Address_Constant_ID100>
    <Customer___Alpha_Name_ID116>Ern Young</Customer___Alpha_Name_ID116>
    <Customer___Mailing_Name_ID73>Suit 0</Customer___Mailing_Name_ID73>
    <Customer___Address_Line_1_ID75>22 6th Street</Customer___Address_Line_1_ID75>
    <Customer___Address_Line_2_ID77>Mp N 55402</Customer___Address_Line_2_ID77>
    <a_ID123>a</a_ID123>
    <Notification_Constant_ID104>Please be advised that your account has been debited or back-charged as follows:</Notification_Constant_ID104>
    </On_Address_Number_S8>
    + <On_Address_Number_S8>
    + <Columnar_S7>
    <Invoice_Date_ID27>2010-02-06</Invoice_Date_ID27>
    <DocVoucherInvoiceE_ID21>10000112</DocVoucherInvoiceE_ID21>
    <Document_Type_Description_ID41>Manual Billing</Document_Type_Description_ID41>
    <Pay_Item_ID33>001</Pay_Item_ID33>
    <Due_Date_ID29>2010-03-01</Due_Date_ID29>
    <Remark_ID31>FEB 10 CLEANING</Remark_ID31>
    <Amount_ID47>110.00</Amount_ID47>
    <Taxable_Amount_Value_ID15>110.00</Taxable_Amount_Value_ID15>
    <CompanyKey_ID43>03285</CompanyKey_ID43>
    <AddressNumber_ID35>202370</AddressNumber_ID35>
    <Company_ID45>03285</Company_ID45>
    </Columnar_S7>
    + <Columnar_S7>
    <Pay_Item_ID33>002</Pay_Item_ID33>
    <Due_Date_ID29>2010-03-01</Due_Date_ID29>
    <Remark_ID31>ADMIN FEE</Remark_ID31>
    <Amount_ID47>11.00</Amount_ID47>
    <Taxable_Amount_Value_ID15>11.00</Taxable_Amount_Value_ID15>
    <CompanyKey_ID43>03285</CompanyKey_ID43>
    <AddressNumber_ID35>202370</AddressNumber_ID35>
    <Company_ID45>03285</Company_ID45>
    </Columnar_S7>
    <Total_Invoice_Amount_Value_ID2>121.00</Total_Invoice_Amount_Value_ID2>
    <Total_Amount_Invoiced_Constant_ID190>Total Amount Invoiced</Total_Amount_Invoiced_Constant_ID190>
    <Tax_Amount_Constant_ID192>Tax Amount</Tax_Amount_Constant_ID192>
    <Balance_Due_Constant_ID184>Balance Due</Balance_Due_Constant_ID184>
    <Balance_Credit_Due_Value_ID6>121.00</Balance_Credit_Due_Value_ID6>
    <Transaction_Currency_ID47>USD</Transaction_Currency_ID47>
    <Credit_Due_Constant_ID194>Credit Due</Credit_Due_Constant_ID194>
    </On_Address_Number_S8>
    </Columnar_S7_Group>
    </R5503B505>

    Thanks for your response Shastry, but I am having trouble understanding it. Not sure how the above steps will read the current date.
    To be more specific, I want to display only that cost that falls in fiscal year.
    In above example now since it is 03/26/2011 and my fiscal year starts on 04/01 . I want to display cost from row 1 and when the same report will be run after 04/01/2011 it should display cost from  row 2.
    Like wise if the report is run after n number of years , it should display cost as per the fiscal year at that time.
    So i guess the formula should really depend on system date/current date/ print date
    Thanks!

  • How to see the MM invoice changes in sap?

    Hi
    How to see the MM invoice changes in sap ?

    Dear Prashant,
    When ever we perform LIV and is blocked for payment (due to price variance or other variance) is stored on table RBKP_BLOCKED
    Now when we release it through t. Code MRBR that time its get deleted from RBKP_BLOCKED
    So you can always track it :
    Go to ->SE16 ->Enter table name CDHDR -.>Table contents (F7)
    In the selection screen enter
    OBJECTCLAS as INCOMINGINVOICE
    OBJECTID as =Invoice no+year (e.g 51056066022011 where is 5105606602 invoice no 2011 is year)
    TCODE as MRBR
    ->Execute
    You will find the details when it was released  Date ,Time, User ID etc
    Edited by: redriver on Dec 26, 2011 2:23 PM

  • I am loging in SAP. Initial screen come where it display User Menu and Sap

    Dear All,
    When i am loging in SAP. Initial screen come where it display User Menu and Sap Menu, but User menu is in active not showing but T code are executing then what object i have missed.
    can u help me?
    Thanks,
    Regards,
    Sachin

    Hi Sachin,
    It doesn't care if you're using SAP_ALL or any of those profile. That is not relevant. I had that case a few days ago, I'm not using any of those profiles and I made it work with help of one post.
    If you put the transactions in the tab "Menu" of the role in the PFCG, and if you activate parameters I mentioned in a prior post, then you should see the Menu.
    Tables SSM_CUST and USERS_SSM. The first is global and the other is user-especific.
    The link in one of the first post of this thread hace all the info.
    That should work, that worked in my case.
    What values the parameters have on those tables? The more the info the better.
    Updating the parameters on those tables should help. If still doesn't work then you should check another parameter using transaction RZ10 or report RSPARAM.
    If my info solves your problem, points are appreciated, if not, we will try...
    Jose

  • The Error doesn't display file on the SAP screen

    Dear experts!
    Now, I'm getting some Issues about displaying file on SAP Screen use 2D Viewer or 3D Viewer.
    - The first, I Created document for WBS.
    - Second, I want to display the file on SAP screen. But the system opened it's by an application on client.
    How do I have to do?
    Help me, please!
    Best regards, Huy

    Hi,
    As I understood you attached a file to WBSE and that file
    is not showing in the project structure.In standard it doesn't show
    in the project structure. With DMS & CAD (2D,3D viewer) integartion it is possible to
    display the document in SAP screen.
    If my understanding is wrong you can elaborate your post and do revert.
    Regards,

  • Display Warehouse Stock in SAP EWM

    Dear Experts,
    Kindly let me know what is the transaction code to display Warehouse Stock in SAP EWM.
    Thanks,
    Shetty

    Hi,
    Indeed, the Warehouse monitor pretty much gives you all the information that you need. Do not forget that from time to time you need to update the stock data from the EWM to the ERP using the transaction /n/SCWM/ERP_STOCKCHECK - Stock Comparison ERP in order for the monitor from the EWM to be conclusive with the valuated data form ERP.
    All the best,
    Claudiu Maxim

  • VFO3 display invoice is showing product cost - What is RISK and Benefit. How to stop.

    We’ve stumbled upon an existing Risk where users who have access to VF03 (Display Invoice) can see product cost by selecting Accounting Documents and PA documents (Value Field = Stock Value).
    The VPRS must remain as the copa stock value.  The issue is that sales and branch users can see the PA document. 
    What are the solution to hide that from sales and branch level or how to swithch on switch of user,
    PLEASE kindley provide path as well.

    Hi Kanapa,
    Should the users who have access to see the invoice also have access to view PA documents? If not, speak to your security person. They should be able to check the authorization objects for the transaction and restrict access to those individuals.
    Hope this helps.
    KF

  • Error in displaying invoice document

    Dear all,
    The miro document (delivery cost log invoiced document) which are being created against vendor subjected to <b>withholding tax</b> the error message "<b>enter rate INR/rate type M for 00.00.0000 in the system setting</b>" is showing while user want to display the follow on document in transaction code <b>MIR4</b> (display invoice document) or from the document in purchase order history.but while i posted  that invoice document i have simulated the FI document without error and posted it.Could anyone explain the cause of this error and possible solution.
    Regards,
    Atanu

    Hi
    This looks like exchage rate error.
    Do you have any foreign currency in PO ?
    Even the message does not show the other currency and the date also looks dubious. System is trying to find exchange rate table for date 00.00.0000!!
    Best regards
    Ramki

  • Integrate Oracle Financial (GL) or Oracle Invoice applications using SAP PI

    Hi All,
    I need to Integrate Oracle Financial applications (Debit GL), Oracle Invoice applications  using SAP PI .
    Please let me know for the same.
    Thanks

    Hi,
    we take the case of Oracle ERP Modules - Oracle  Inventory Module, Oracle Purchasing module.
    Now how to Integrate with JDBC adapter    
    Oracle  Inventory Module/Oracle Purchasing module --- SAP XI/PI --- SAP ERP
    with data selecting from many tables of Oracle  Inventory Module/Oracle Purchasing Module
    Please let me know or send me the docs
    Thanks

  • Tcode for display Invoice Document

    Hi,
    I want to know the tcode to display the invoice Document.
    Note: im aware that In MR90,i can fill Invoice Doc. Number & Fiscal year for printing the invoice.
    Regards,
    Baskar

    Hi,
    MIRO - Enter Invoice
    MIR7 - Park Invoice
    MIRA - Enter Invoice for Invoice Verification in Background
    MIR4 - Display Invoice Document
    MR8M - Cancel Invoice Document
    MRBR - Release Blocked Invoices
    MIR5 - Display List of Invoice Documents
    MIR6 - Invoice Overview
    MR90 - Output Messages
    MIR4 and MIR5 will solve your query, also you can try MR11.
    regards,
    Prashant Rathore.

  • Create PO with SAP, but process invoice outside of SAP?

    Hi All,
    I am trying to resolve the following situation:
    1. CompanyBuyer purchases computers on behalf of CompanyB and CompanyC. The POs are created in SAP.
    2. Company B allows CompanyBuyer to receive their invoices and process in SAP. CompanyBuyer then passes on the costs to CompanyB.
    3. CompanyC does NOT allow CompanyBuyer to receive and process their invoices. Instead, CompanyC wants to process their own invoices in their own system (non-SAP).
    Can CompanyBuyer create POs for CompanyC even though no invoice will be entered into SAP?
    If so, how would you go about doing this (don't want the PO value left in SAP with no action)?
    Thank you very much.
    Danielle

    Hi Danielle,
    As per the details given by you, there should be no problem with company 'B', as the transaction is completed in SAP.
    While for company 'C' you can continue to create the PO's in SAP and process the invoices in Non-SAP system. All you have to do is transfer the relevant data from the Non-SAP system to R/3 and run a background batch job at a predefined period (eg. every night) to update the POs back in SAP.
    There are various methods available for this like IDOCs, BAPIs, BDCs, RFCs etc.
    Hope this resolves your issue !!
    Devendra Lodha

Maybe you are looking for